Conduct credit research and analysis on global investment-grade bonds to identify investment opportunities
Execute trading strategies across G3, Australian, and UK rate markets
Perform daily macroeconomic and bond market research to identify investment opportunities and generate trading ideas for portfolio enhancement
Execute FX trades for investment-related or share-class hedging
Support the portfolio management team with other administrative tasks
Perform ad-hoc duties, such aspiling market data and preparing presentation materials
Requirements
Bachelor’s degree or above in Economics, Finance, Accounting, or a related discipline
3–5 years of experience in fixed ie research and investment, within buy-side or sell-side institutions
Strong financial analysis capabilities, familiar with credit research framework, and a sound understanding of portfolio construction and risk-adjusted returns. FX trading experience is preferred
Team player, enthusiasm for challenges, and the ability to perform under pressure
Excellent logical reasoning, analytical thinking, and interpersonalmunication skills
Fluent in English and Mandarin
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